Table & Column Reference — Release 26A
326 tables found — showing 126–150
| Table Name | Cols | Description |
|---|---|---|
| FND FND_ID_FLEX_STRUCTURES | 19 | |
| FND FND_LOOKUP_TYPES_TL | 17 | Schema: LOOKUPSObject owner: FND |
| FND FND_LOOKUP_VALUES | 36 | |
| FND FND_OBJECT_INSTANCE_SETS | 18 | Stores the Object Instance Sets that corresponds to an Object. Object Instance Set is nothing but a ... |
| FND FND_TERRITORIES | 22 | |
| FND FND_TERRITORIES_TL | 14 | Territories translation table comment |
| GL GL_ACCOUNT_HIERARCHIES | 20 | Stores account hierarchy definitions used for reporting, allocations, and consolidations in Oracle G... |
| GL GL_ALLOC_BATCHES | 27 | Stores information about MassAllocation and MassBudget batches in Oracle General Ledger. Each row in... |
| GL GL_ALLOC_FORMULAS | 26 | Stores information about MassAllocation and MassBudget formulas in Oracle General Ledger. Each row i... |
| GL GL_AUTOMATIC_POSTING_SETS | 37 | GL_AUTOMATIC_POSTING_SETS contains the automatic posting sets you defined in the AutoPost Criteria S... |
| GL GL_BALANCES | 39 | GL_BALANCES contains actual, budget, and encumbrance balances for detail and summary accounts. This ... |
| GL GL_BALANCES_DELTA | 30 | GL_BALANCES_DELTA is used only during internal processing. |
| GL GL_BUDGET_ASSIGNMENTS | 15 | Stores the accounts that are assigned to each budget organization in Oracle General Ledger. Each row... |
| GL GL_BUDGET_INTERFACE | 54 | GL_BUDGET_INTERFACE is used to load Budget Data to Essbase. You must supply values for all NOT NULL... |
| GL GL_BUDGET_VERSIONS | 23 | Stores information about budget versions in Oracle General Ledger. There is one row in this table fo... |
| GL GL_CODE_COMBINATIONS | 130 | GL_CODE_COMBINATIONS contains valid account combinations for each accounting flexfield structure wit... |
| GL GL_CONSOLIDATION | 23 | Stores information about consolidation mappings in Oracle General Ledger. Each row includes a mappin... |
| GL GL_CONSOLIDATION_ACCOUNTS | 29 | Stores the account ranges that you enter when you consolidate balances using the Transfer Consolidat... |
| GL GL_DAILY_RATES | 40 | GL_DAILY_RATES contains the daily conversion rates for foreign currency transactions. It replaces th... |
| GL GL_DAILY_RATES_INTERFACE | 46 | GL_DAILY_RATES_INTERFACE is used to create, update, and delete daily conversion rates. You can use t... |
| GL GL_ENCUMBRANCE_TYPES | 18 | GL_ENCUMBRANCE_TYPES_B stores information about encumbrance types, including their IDs and descripti... |
| GL GL_IMPORT_REFERENCES | 26 | GL_IMPORT_REFERENCES contains individual transactions from subledgers that have been summarized into... |
| GL GL_INTERFACE | 206 | GL_INTERFACE contains journal entry batches through Journal Import. You insert rows in this table an... |
| GL GL_INTERFACE_HISTORY | 188 | GL_INTERFACE_HISTORY contains the rows that are successfully imported from the GL_INTERFACE table th... |
| GL GL_JE_BATCHES | 64 | GL_JE_BATCHES contains journal entry batches. Each row includes the batch name, description, status... |